VCM
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Vision Capital Management’s Colgate-Palmolive CL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$313K Hold
3,438
0.04% 119
2025
Q1
$322K Buy
+3,438
New +$322K 0.05% 110
2022
Q2
Sell
-15,646
Closed -$1.19M 97
2022
Q1
$1.19M Sell
15,646
-2,624
-14% -$199K 0.2% 74
2021
Q4
$1.56M Buy
18,270
+114
+0.6% +$9.73K 0.23% 68
2021
Q3
$1.37M Buy
18,156
+179
+1% +$13.5K 0.22% 69
2021
Q2
$1.46M Sell
17,977
-372
-2% -$30.3K 0.24% 68
2021
Q1
$1.45M Buy
18,349
+133
+0.7% +$10.5K 0.26% 65
2020
Q4
$1.56M Sell
18,216
-923
-5% -$78.9K 0.29% 63
2020
Q3
$1.48M Sell
19,139
-5
-0% -$386 0.31% 61
2020
Q2
$1.4M Sell
19,144
-528
-3% -$38.7K 0.32% 62
2020
Q1
$1.31M Buy
19,672
+2,088
+12% +$139K 0.35% 52
2019
Q4
$1.21M Buy
17,584
+429
+3% +$29.5K 0.28% 56
2019
Q3
$1.26M Buy
17,155
+295
+2% +$21.7K 0.33% 54
2019
Q2
$1.21M Buy
16,860
+15
+0.1% +$1.08K 0.32% 53
2019
Q1
$1.16M Buy
16,845
+350
+2% +$24K 0.32% 54
2018
Q4
$982K Buy
16,495
+340
+2% +$20.2K 0.31% 53
2018
Q3
$1.08M Sell
16,155
-125
-0.8% -$8.37K 0.29% 57
2018
Q2
$1.06M Sell
16,280
-40
-0.2% -$2.59K 0.31% 58
2018
Q1
$1.17M Buy
16,320
+245
+2% +$17.6K 0.35% 57
2017
Q4
$1.21M Sell
16,075
-10
-0.1% -$755 0.35% 54
2017
Q3
$1.17M Sell
16,085
-1,010
-6% -$73.6K 0.37% 54
2017
Q2
$1.27M Sell
17,095
-215
-1% -$15.9K 0.43% 50
2017
Q1
$1.27M Buy
17,310
+11,150
+181% +$816K 0.46% 51
2016
Q4
$403K Sell
6,160
-8,631
-58% -$565K 0.16% 67
2016
Q3
$1.1M Buy
14,791
+6,571
+80% +$487K 0.46% 49
2016
Q2
$602K Buy
+8,220
New +$602K 0.26% 58
2015
Q3
Sell
-195,901
Closed -$12.8M 71
2015
Q2
$12.8M Sell
195,901
-22,968
-10% -$1.5M 2.39% 18
2015
Q1
$15.2M Sell
218,869
-75,710
-26% -$5.25M 2.27% 29
2014
Q4
$20.4M Buy
294,579
+14,530
+5% +$1.01M 2.35% 25
2014
Q3
$18.3M Sell
280,049
-14,865
-5% -$970K 2.27% 28
2014
Q2
$20.1M Sell
294,914
-1,540
-0.5% -$105K 2.4% 26
2014
Q1
$19.2M Sell
296,454
-11,695
-4% -$759K 2.34% 27
2013
Q4
$20.1M Sell
308,149
-23,219
-7% -$1.51M 2.39% 28
2013
Q3
$19.7M Buy
331,368
+73,404
+28% +$4.35M 2.33% 32
2013
Q2
$14.8M Buy
+257,964
New +$14.8M 2.37% 27